Change the Reconciliation Account for the FI Document

Hi,
I like to change the reconciliation account of the line item in a FI Document, which will be created FROM MIRO or MIR6 trxn. I have tried the BTE - 00001120, I can modify the required field, but at the time of posting it's again fetching the default reconciliation account.
Can any one plz suggest me the way to solve the problem? Please suggest.
Thanks,
Kuntal

HI Kuntal,
I'm facing same problem as yours.
I posted a msg at this bulletin also, but the same, nobody answered me.
Have you found any solutions yet? Kindly share to me if you have.
Thanks a lot in advance!
Best regards,
Miao

Similar Messages

  • Change of Reconciliation account for Customer/Vendor.

    Dear All,
    I need to change the reconciliation account for customer, after changing recon account i want the balance from the old recon account to be transfered to new recon accont.
    Please suggest.
    Thanks & Regards

    Hello,
    Once you made any change of reconciliation account in customer master, you are required to execute F.5D.
    Please read the documentation available on this.
    This will adjust the postings made to old reconciliation account to new reconciliation.
    Hopefully, it should solve your problem.
    Thanks,
    Ravi

  • Change in reconciliation account for AP

    Hi,
        I would like to change the reconciliation of many vendor master from recon account 1234  to 2222. (1234 will not be used and if possible, to be blocked for posting)
        There will not be any impact in the financial statement version because both recon. accounts are grouped under the same header "Accounts Payable".
       Am I right to do the following steps :
      1.    Do I need to configure adjustment entries for account for 1234  to adjustment account 9999  ??
      2.    Change the recon. account in master data from 1234 to 9999.
      3.    Do I need to execute program FAGL_CL_REGROUP (Balance Sheet adjustment program for New General Ledger) ?   Bearing in mind, that there will not be any impact to the Balance Sheet.
    4.    With the recon. acccount now changed to 9999, how will the open item in 1234 get cleared ? As new postings to the changed vendor will now be posted to 9999.
    Thanks and regards,
    Leslie
       Regards,
       Leslie

    Hi,
        I would like to change the reconciliation of many vendor master from recon account 1234  to 2222. (1234 will not be used and if possible, to be blocked for posting)
        There will not be any impact in the financial statement version because both recon. accounts are grouped under the same header "Accounts Payable".
       Am I right to do the following steps :
      1.    Do I need to configure adjustment entries for account for 1234  to adjustment account 9999  ??
      2.    Change the recon. account in master data from 1234 to 9999.
      3.    Do I need to execute program FAGL_CL_REGROUP (Balance Sheet adjustment program for New General Ledger) ?   Bearing in mind, that there will not be any impact to the Balance Sheet.
    4.    With the recon. acccount now changed to 9999, how will the open item in 1234 get cleared ? As new postings to the changed vendor will now be posted to 9999.
    Thanks and regards,
    Leslie
       Regards,
       Leslie

  • Change G/L account for free of charge po good receipt .

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    Hi Jimmy
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  • Change the reverse document type for RE.

    Hi,
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    hi
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    Edited by: eashwar1 on Apr 15, 2010 2:38 PM

  • Change Reconciliation Account for customer.

    Hi All,
    I want to change the Reconciliation Account for customer. it is giving me message that Account has been posted to; hold balance sheet adjustment (Message no. F2067). How do I change it.
    Thanks
    Utpal.

    Hi
    Make the reconciliation account balance nullify by tranferring to new GL Account and the nassing new one
    Assign points if useful,
    Regards
    Raj

  • Restrict to change the released document

    hii all,
          i am seeking for a suggestion whether its avalable in standard  sap or not.
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    Hi,
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  • Change in Reconciliation Account of Vendor/Customer

    Hi Experts,
    Can any one please tell me the scenarios where in we change the reconciliation account for the customer and vendor. If we change, what are the precautions we have to take in terms of transferring balance or open items from old reconciliation account to new reconciliation account?
    Thanks,
    SravanK

    Hi,
                   There is no problem to change the account number in the vendor or customer master data, that is :
    All Document Items that were created in the old account will be posted in the same old account when you have a payment posting, compensations, etc.
    All document created after the change will be posted in the new account as well as the payment postings, compensations and others. 
    The system will separate the postings in accordance with the moment at the documents were created. 
    You can do a test in the development client before you do the change in the production. 
    For example :-
    You can create a new reconciliation account because you want the G/L accounts to separate out sales. Just switched the setting in Customer Master and off you go. SAP will recognized the old account for the old postings and used the new account for any new postings. 
    You should run balance sheet adjustment program after any reconciliation account change. 
    The system performs any adjustments required due to the change of reconciliation accounts or G/L accounts. The items from the old reconciliation accounts are allocated to the new accounts. 
    Since you cannot post to the reconciliation accounts directly, the postings are made to temporary adjustment accounts. 
    These adjustment accounts should be displayed along with the relevant reconciliation account in the balance sheet. The postings are then reversed after the balance sheet has been created. 
    The program for sorting the payables and receivables makes the necessary adjustments automatically. This means that you have to define the adjustment account numbers and the posting keys for these postings in the system. 
    If you purchase and install the FI-LC Consolidation application and have bought up a previous customer or vendor (thus also taking on his/her payables and receivables), please refer to the note in the report documentation on changed reconciliation accounts. To define the account numbers, select the activity Define adjustment accounts for changed reconciliation accounts in the Accounts Receivable and Accounts Payable Implementation Guide.
    You should only run this program if your new reconciliation account is classified differently from the original in your FS. e.g.. AR to Intercompany accounts. It will just reclassify the existing balance. The line items will not be transferred. If not then no need to run the program at all.
    Regards,
    Sreehari

  • Change Customers Reconciliation Account

    Hello:
    I have a request from the accounting user to change the reconciliation account for several customers.
    The thing is that these customers have several open items, and we're looking for a way to transfer the open items to a "temporary" account, change the reconciliation account and then post open items from the "temporary" account to the original customers accounts.
    It is possible to do this using any SAP functionality? or I need to do it manually reversing the open items and the create them again?
    Thanks a lot for your help.
    Paola

    Hi Sara
    You can change reconciliation account of customer master (XD02) but after assigning new reconciliation account only new posting are transferred to that new reconciliation account.Old balances cannot comes under this new account.
    In second case you can reverse your open item and correct it again if that posting were posted in FI only.If transactions were posted through SD cycle then you have to reverse all related documents i.e. billing invoice, delivery and sales order and material movements in SD module.If you are working on production client do the things carefully.
    Hope this helps you and if found useful then reward
    Let me know if you need more information.
    Regards,
    Nilesh

  • Vendor - change of reconciliation account

    Hello
    I have search a read a lot of articles about this problem, but unfortuantely without success.
    My problem is that some vendors shall be have another reconciliation account, so I have changed the account in vendor master data. I know that this have no influence on existing vendor items, but will it be possible to change the reconciliation account for existing records via F101. I mean that the old reconciliation account will balance to 0 and instead be listed under the new reconciliation account?
    I have tried to execute F101, but without success. The records on the vendor account is still linked to the old rec account. Is it possible to do anything automatically?
    Best regards
    Søren Kirch
    LOGSTOR

    Hello Søren Kirch,
    The below two stepped approach may let you solve the issue.
    a) Change the Reconciliation Accounts either using the TCode XK07 or by the Function Module VENDOR_CHANGE_ACCOUNTGROUP in bulk
    b) Transfer either the Open Items (Item by Item) or the Balances accumulated on the Old Recon Account to the New Recon Account using the Program SAPF101. Ofcourse, this might need a little bit of customizing in OBBW. (The Transaction Key 'A00' has to be configured to determine the Adjustment Account for the original recon account and also the Posting Keys)
    Though I have not done this myself, I believe and wish that this will work for you.
    With Regards
    VG

  • Change of reconciliation account in vendor master

    Dear Friends,
    Can anybody tell whether we can change a reconciliation account in vendor master or not.
    If we can change then what is the procedure of changing.
    Regards
    Rahul Jain

    Hello,
    You can change the recon account for a vendor/customer by transaction code XK02/XD02. The original transactions remain in the original recon account. After reconciliation change in customer/vendor will be posted to new reconciliation accounts and whatever old line items in the vendor/customer accounts will not change from old reconciliation accounts. If once cleared, manually you have to clear those open items from old reconciliations before shifting to new reconciliation accounts.
    Thanks
    Para

  • Change employee reconciliation account

    Dear Sapgurus,
    There is a need to change one employees Reconciliation account from 21100000  to 21101000,  Kindly understand 21100000 is Vendor Reconciliation account and 21101000 is employee reconciliation account.   By anychance my Client was using 21100000 in one employees master data,  now I want to change it from 21100000 to 21101000.
    In FK02/XK02  recon account field is greyed not allowing to change though there is no balance in Employees account
    Please SAPGurus  give me the complete process of doing this, the answers will be rewarded.
    thanks

    Dear SAP Consultant
    If you want to change employee reconciliation account from vendor master data and it is shown grayed you can use transaction in SPRO -> Financial accounting->Accounts Receivable and Accounts Payable ->Vendor Accounts->Master Data -> Preparations for Creating Vendor Master Data ->Define Screen Layout per Activity (Vendors)
    And change the status of reconciliation account to be ready for input (Optional entry). then try to use fk02 or xk02 as you change in the previous screen.
    I hope that will help you
    Thanks

  • Account is not a reconciliation account for FI-CA

    Hi Experts,
    During invoicing we are getting the following error:
    Account 1000 xxxxxxxx is not a reconciliation account for FI-CA
    Message no. >0229
    Diagnosis
    G/L account xxxxxxxx in company code 1000 is not classified in the master record as a reconciliation account for account type 'V'. You can only use accounts of this type for business partner items.
    System Response
    Error message: the posting cannot be generated.
    Procedure
    If the account number specified is correct, change the account master record so that the account can be used as a reconciliation account for account type 'V'.
    If you do not want to use the account number specified, correct automatic account determination for receivables accounts in contract accounts receivable and payable (FI-CA).
    Please suugest me the required solution for this.
    thanks and regards
    Deepak Rana.

    Hello,
    You need to attach Recon account <Type : Contract Account Receivable & Payable> in EK01 for the MT = 0100/0200/0300.
    Or Alternatively you can change the existing GL account to  Recon account in FS00 as suggested by Cris. But if you already have balance in the aforesaid GL Account in FI, you cannot change it.
    Hope this helps
    Rgds
    Rajendra

  • How to get general account for a billing document ( BSEG) ?

    Hello,
    For a billing document to a client , We need to get the general account for each item of the invoice . We based on the field XBLNR of table VBRK to select a document from BKPF with condition : VBRK-XBLNR = BKPF-vbeln . If yes we will get from table BSEG for bseg-vbeln = bkpf-vbeln and bseg-posnr = vbrk-posnr . then get HKONT.
    But as you know BSEG is a cluster table, Select directly from this table is extremly long and seems impossible in our case. Could you please show me the way to do this ?
    Our main purpose is to get HKONT ( General account ) for a  billing document .
    Thanks in advance for your help

    Hi  Hoa Binh Xanh,
    Why don't you look into tables BSAD and BSID (Transperant Tables) rather directly hitting BSEG ( Cluster Table)
    Pass VBELN (Billing Document) in above two tables and get the doucment numbers and then if you need further info hit BSEG with the data you got from BSAD and BSID
    OR else Pass KOART = 'D' while selecting data from BSEG it will help in improving performance
    Hope it will solve your problem..
    Thanks & Regards
    ilesh 24x7
    ilesh Nandaniya

  • Different Reconciliation Accounts for One Vendor

    Hi Gurus,
    Please tell me how can i use different reconciliation accounts for one vendor?
    Thank You
    Regards,

    Hi,
    Follow the below steps
    1)IMG--Financial Accounting (New)Accounts Receivable and Accounts PayableBusiness TransactionsPostings with Alternative Reconciliation Account--Define Alternative Reconciliation Accounts
    2) In the GL master for the recon. account of your vendor master check the box in CBI tab for "Recon. acct ready for input"
    3) Check the box for "Recon. acct ready for input" in the other recon. accounts which you want to use for this vendor.
    So at the time of posting suppose vendor invoice the recon account filed becomes active and you can enter the required recon account you want to use
    Reagrds
    Pratiksha
    *Assign points if useful

  • Alternative Reconciliation Account for Customers

    Dear all,
    I have to define Alternative Reconciliation Account for Customers but I don't understood relationship between Reconciliation Account for Customers and Special GL account.
    Please give a detail example about business scenanio that use these account.
    Thanks so much
    Minhtb

    Hi,
    Normally a ledger of any party will have two balances
    - Normal balances-
    - Balances with Special GL Postings
    Items like Down Payment request, Down Payments, Security Deposits etc.,  are treated as special GL Postings for ease of understandability.
    However a link has to be maintained between recon accounts (for the party) and the SP GL Indicator.
    Hence we assign an alternative recon account also for the main recon account for sp GL postings
    Cheers
    Points Please!

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